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Debt (Tables)
9 Months Ended
Mar. 31, 2017
Debt Disclosure [Abstract]  
Schedule of Debt
Debt consisted of the following as of March 31, 2017 and July 1, 2016:
 
March 31,
2017
 
July 1,
2016
 
(in millions)
Variable interest rate Term Loan A maturing 2021
$
4,125

 
$
4,125

Variable interest rate U.S. Term Loan B maturing 2023

 
3,750

Variable interest rate U.S. Term Loan B-2 maturing 2023
2,978

 

Variable interest rate Euro Term Loan B maturing 2023(1)

 
987

Variable interest rate Euro Term Loan B-2 maturing 2023(1)
938

 

7.375% senior secured notes due 2023
1,875

 
1,875

10.500% senior unsecured notes due 2024
3,350

 
3,350

Convertible senior notes
35

 
439

Bridge loans

 
3,000

Total debt
13,301

 
17,526

Issuance costs and debt discounts
(213
)
 
(532
)
Subtotal
13,088

 
16,994

Less bridge loans and current portion of long-term debt
(181
)
 
(3,334
)
Long-term debt
$
12,907

 
$
13,660


 
 
(1) 
Euro Term Loan B and Euro Term Loan B-2 outstanding principal amounts as of March 31, 2017 and July 1, 2016 were based upon the Euro to U.S. dollar exchange rate as of those respective dates.